Ambev SA
SWB:AMNA

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Ambev SA
SWB:AMNA
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Price: 1.71 EUR -9.52% Market Closed
Market Cap: 26.9B EUR
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Cash Flow Statement

Cash Flow Statement
Ambev SA

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Cash Flow Statement
Currency: BRL
Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024
Operating Cash Flow
Net Income
12 467
12 362
12 728
13 104
13 280
12 879
12 810
12 392
12 508
13 083
12 479
12 431
9 384
7 787
8 149
8 435
11 184
11 348
11 509
11 714
11 433
12 188
10 651
9 306
9 061
11 732
13 254
14 912
16 266
13 123
13 918
14 053
13 555
14 891
15 182
14 715
15 515
14 960
14 945
14 800
14 351
Depreciation & Amortization
2 205
2 393
2 530
2 740
2 900
3 075
3 267
3 388
3 481
3 512
3 476
3 464
3 535
4 037
3 762
3 920
4 174
4 448
4 517
4 596
4 680
4 675
4 803
4 996
5 067
5 167
5 257
5 255
5 298
5 397
5 464
5 634
5 786
5 956
6 152
6 386
6 534
6 418
6 523
6 539
6 598
Other Non-Cash Items
3 275
3 540
4 128
4 158
4 447
5 319
5 061
5 421
4 636
2 688
2 963
3 031
6 648
9 404
8 989
8 888
5 592
4 972
4 698
4 561
4 689
3 595
4 207
3 916
4 313
3 136
2 525
2 826
1 965
2 795
2 225
2 372
3 310
3 122
3 878
3 799
3 874
4 661
4 932
5 725
6 264
Cash Taxes Paid
2 572
2 556
2 439
2 540
2 116
2 126
5 649
5 627
5 347
5 342
1 979
1 515
1 699
2 157
2 878
3 216
2 313
1 711
1 496
1 484
2 493
2 035
1 922
2 030
846
1 642
1 563
1 593
1 868
1 305
1 708
1 090
1 381
919
1 428
2 059
1 710
1 627
1 795
2 068
2 403
Cash Interest Paid
934
700
0
0
0
257
403
721
0
725
1 198
976
1 132
721
503
681
570
774
746
594
690
405
465
426
523
769
692
820
679
498
518
445
553
826
891
901
959
666
669
649
518
Change in Working Capital
(2 487)
(2 399)
(1 835)
(1 192)
738
2 309
(3 003)
(4 855)
(5 224)
(6 939)
(2 375)
(2 041)
(2 662)
(2 967)
(4 069)
(3 622)
(2 494)
(2 422)
(1 240)
(1 487)
(3 265)
(2 077)
(1 815)
(1 647)
1 656
(1 180)
(887)
(2 843)
(4 061)
1 586
(1 024)
(1 112)
(1 995)
(3 328)
(5 666)
(4 142)
(3 351)
(1 328)
(395)
(1 116)
(1 079)
Cash from Operating Activities
15 461
N/A
15 896
+3%
17 550
+10%
18 810
+7%
21 365
+14%
23 581
+10%
18 134
-23%
16 344
-10%
15 400
-6%
12 345
-20%
16 544
+34%
16 887
+2%
16 906
+0%
18 261
+8%
16 831
-8%
17 621
+5%
18 457
+5%
18 346
-1%
19 485
+6%
19 384
-1%
17 537
-10%
18 381
+5%
17 845
-3%
16 570
-7%
20 097
+21%
18 856
-6%
20 149
+7%
20 150
+0%
19 469
-3%
22 901
+18%
20 584
-10%
20 946
+2%
20 657
-1%
20 642
0%
19 546
-5%
20 760
+6%
22 573
+9%
24 711
+9%
26 006
+5%
25 948
0%
26 134
+1%
Investing Cash Flow
Capital Expenditures
(4 667)
(4 493)
(4 336)
(4 404)
(4 467)
(5 261)
(5 249)
(5 213)
(4 831)
(4 133)
(3 985)
(3 585)
(3 410)
(3 204)
(3 118)
(3 171)
(3 384)
(3 571)
(3 644)
(3 735)
(4 418)
(5 069)
(5 870)
(5 781)
(5 302)
(4 693)
(4 674)
(5 506)
(6 061)
(7 677)
(7 238)
(7 352)
(7 508)
(6 533)
(6 797)
(6 340)
(5 767)
(6 004)
(5 867)
(5 599)
(5 503)
Other Items
187
(275)
(690)
(577)
(537)
(736)
(1 910)
(2 222)
(2 072)
(1 765)
(155)
45
63
131
(2 907)
38
(99)
(105)
3 144
166
197
231
(256)
(266)
(1 760)
(2 107)
(2 178)
(1 386)
(644)
(58)
919
(65)
919
1 529
1 020
1 296
1 162
238
(598)
(726)
(747)
Cash from Investing Activities
(4 480)
N/A
(4 768)
-6%
(5 028)
-5%
(4 981)
+1%
(5 004)
0%
(5 997)
-20%
(7 158)
-19%
(7 435)
-4%
(6 902)
+7%
(5 898)
+15%
(4 141)
+30%
(3 539)
+15%
(3 348)
+5%
(3 073)
+8%
(6 023)
-96%
(3 134)
+48%
(3 483)
-11%
(3 676)
-6%
(501)
+86%
(3 569)
-613%
(4 221)
-18%
(4 839)
-15%
(6 126)
-27%
(6 047)
+1%
(7 062)
-17%
(6 800)
+4%
(6 852)
-1%
(6 892)
-1%
(6 705)
+3%
(7 735)
-15%
(6 319)
+18%
(7 416)
-17%
(6 589)
+11%
(5 004)
+24%
(5 778)
-15%
(5 044)
+13%
(4 605)
+9%
(5 766)
-25%
(6 465)
-12%
(6 326)
+2%
(6 249)
+1%
Financing Cash Flow
Net Issuance of Common Stock
115
83
43
(481)
(871)
(814)
(771)
(374)
11
0
(48)
(28)
(42)
(39)
7
(2)
19
13
17
10
(3)
(19)
(25)
(26)
(21)
(7)
(41)
(41)
(41)
(35)
19
(28)
(28)
(30)
(37)
(9)
(62)
(104)
(173)
(444)
(390)
Net Issuance of Debt
(969)
(787)
(1 445)
(1 266)
(796)
(696)
813
761
1 155
1 893
1 101
1 174
(934)
(2 933)
(516)
(531)
974
(642)
(1 870)
(1 885)
(2 935)
(1 944)
(2 588)
732
1 717
1 226
762
(4 241)
(4 330)
(2 802)
(2 401)
(749)
(877)
(810)
(918)
(1 097)
(1 208)
(1 358)
(1 069)
(1 493)
(1 482)
Cash Paid for Dividends
(8 738)
(12 060)
(13 106)
(12 658)
(12 586)
(11 490)
(8 628)
(7 086)
(6 769)
(10 331)
(9 363)
(9 360)
(9 850)
(8 820)
(8 788)
(8 751)
(8 640)
(8 814)
(7 767)
(7 732)
(5 356)
(7 871)
(7 865)
(7 859)
(7 826)
(6 850)
(8 045)
(8 272)
(8 167)
(11 115)
(9 896)
(9 807)
(9 900)
(12 242)
(12 258)
(12 244)
(12 252)
(11 922)
(11 895)
(11 853)
(11 817)
Other
(1 163)
(381)
79
(28)
244
(2 327)
(3 620)
(3 838)
(5 109)
(3 208)
(2 495)
(1 989)
(1 092)
(1 459)
(1 336)
(4 105)
(4 548)
(4 214)
(4 794)
(1 867)
(1 676)
(2 449)
(1 570)
(2 631)
(3 241)
(2 971)
(2 909)
(3 559)
(2 559)
(2 090)
(4 705)
(2 516)
(3 377)
(3 255)
(1 422)
(2 980)
(3 283)
(2 731)
(4 264)
(3 604)
(3 391)
Cash from Financing Activities
(10 755)
N/A
(13 144)
-22%
(14 429)
-10%
(14 433)
0%
(14 009)
+3%
(15 328)
-9%
(12 205)
+20%
(10 537)
+14%
(10 712)
-2%
(11 645)
-9%
(10 805)
+7%
(10 203)
+6%
(11 917)
-17%
(13 251)
-11%
(10 634)
+20%
(13 389)
-26%
(12 196)
+9%
(13 656)
-12%
(14 413)
-6%
(11 474)
+20%
(9 971)
+13%
(12 283)
-23%
(12 047)
+2%
(9 784)
+19%
(9 371)
+4%
(8 602)
+8%
(10 232)
-19%
(16 113)
-57%
(15 097)
+6%
(16 042)
-6%
(16 984)
-6%
(13 100)
+23%
(14 182)
-8%
(16 338)
-15%
(14 635)
+10%
(16 330)
-12%
(16 805)
-3%
(16 115)
+4%
(17 401)
-8%
(17 394)
+0%
(17 079)
+2%
Change in Cash
Effect of Foreign Exchange Rates
(8)
101
1 391
1 285
1 736
1 739
457
474
(220)
(542)
(375)
34
(355)
539
551
790
1 083
97
298
(765)
(530)
(822)
710
1 813
2 301
1 735
1 017
(718)
(905)
383
(1 771)
6
(357)
(1 045)
127
(984)
(1 024)
(1 623)
(1 352)
(88)
(433)
Net Change in Cash
218
N/A
(1 915)
N/A
(516)
+73%
681
N/A
4 088
+500%
3 995
-2%
(772)
N/A
(1 154)
-49%
(2 434)
-111%
(5 741)
-136%
1 223
N/A
3 179
+160%
1 286
-60%
2 476
+93%
725
-71%
1 888
+160%
3 861
+105%
1 111
-71%
4 869
+338%
3 577
-27%
2 815
-21%
437
-84%
382
-13%
2 553
+568%
5 965
+134%
5 190
-13%
4 082
-21%
(3 573)
N/A
(3 237)
+9%
(493)
+85%
(4 490)
-810%
435
N/A
(471)
N/A
(1 745)
-271%
(739)
+58%
(1 598)
-116%
139
N/A
1 207
+771%
788
-35%
2 141
+172%
2 372
+11%
Free Cash Flow
Free Cash Flow
10 794
N/A
11 403
+6%
13 214
+16%
14 406
+9%
16 898
+17%
18 320
+8%
12 885
-30%
11 131
-14%
10 569
-5%
8 212
-22%
12 559
+53%
13 302
+6%
13 496
+1%
15 057
+12%
13 713
-9%
14 450
+5%
15 073
+4%
14 775
-2%
15 841
+7%
15 650
-1%
13 118
-16%
13 312
+1%
11 976
-10%
10 789
-10%
14 795
+37%
14 163
-4%
15 475
+9%
14 644
-5%
13 408
-8%
15 224
+14%
13 346
-12%
13 594
+2%
13 149
-3%
14 109
+7%
12 749
-10%
14 420
+13%
16 806
+17%
18 707
+11%
20 139
+8%
20 349
+1%
20 631
+1%

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